代码 名称 净价 涨跌% 全价 收益率 剩余年限 票面利率
010502 05国债(2) 98.37 -0.06% 98.37 1.95% 0.849 -
000696 96国债(6) 112.51 -0.12% 123.206 0.37% 1.099 11.83%
010405 04国债(5) 97.92 0.02% 97.92 1.93% 1.101 -
010411 04国债(11) 100.82 -0.25% 102.012 2.44% 1.603 2.98%
009905 99国债(5) 101.24 -0.08% 103.603 2.70% 2.282 3.28%
009704 97国债(4) 117.95 -0.05% 124.568 1.81% 2.326 9.78%
010214 02国债(14) 98.89 -0.27% 100.328 3.12% 2.46 2.65%
010010 20国债(10) 99.37 -0.07% 100.645 2.89% 2.518 R+0.380%
010103 21国债(3) 100.07 -0.18% 100.213 3.24% 2.959 3.27%
010115 21国债(15) 98.26 -0.15% 99.435 3.52% 3.611 3.00%
010403 04国债(3) 103.82 -0.38% 104.062 3.37% 3.948 4.42%
010210 02国债(10) 95.32 -0.19% 97.068 3.59% 4.271 2.39%
009908 99国债(8) 98.74 -0.08% 100.81 3.61% 4.375 3.30%
010408 04国债(8) 103.52 -0.21% 105.9 3.43% 4.449 4.30%
010215 02国债(15) 97.43 -0.16% 98.674 3.54% 4.578 2.93%
010301 03国债(1) 95.82 -0.32% 96.403 3.62% 4.784 2.66%
010004 20国债(4) 97.75 -0.01% 100.257 3.36% 5.038 R+0.620%
010307 03国债(7) 94.79 -0.34% 96.707 3.76% 5.282 2.66%
010311 03国债(11) 98.77 -0.22% 100.419 3.75% 5.532 3.50%
010404 04国债(4) 105.85 -0.17% 110.539 3.79% 6.044 4.89%
010407 04国债(7) 104.71 -0.23% 108.039 3.85% 6.296 4.71%
010110 21国债(10) 94.32 -0.06% 96.155 3.97% 6.381 2.95%
010112 21国债(12) 94.91 0.05% 96.514 3.95% 6.477 3.05%
010410 04国债(10) 105.78 -0.22% 107.99 3.84% 6.548 4.86%
010203 02国债(3) 91.04 -0.10% 91.193 4.04% 6.942 2.54%
010308 03国债(8) 92.55 0.00% 94.494 4.09% 8.359 3.02%
010501 05国债(1) 102.73 -0.17% 103.594 4.14% 9.808 4.44%
010213 02国债(13) 84.81 -0.20% 85.173 4.23% 12.367 2.60%
010107 21国债(7) 98.7 -0.19% 99.855 4.42% 16.227 4.26%
010303 03国债(3) 87.51 -0.15% 87.724 4.46% 17.94 3.40%
120001 99宝钢债 100.358 -0.04% 103.35 2.49% 0.255 4.00%
120206 02武钢(3) 100.236 -0.56% 109.02 2.77% 0.493 3.50%
129904 98中信(7) 102.326 -0.15% 107.25 3.28% 1.104 5.48%
129805 98三峡(8) 104.218 -0.47% 106.12 3.57% 1.696 6.20%
129905 98石油债 101.262 0.05% 104.27 3.91% 2.334 4.50%
120202 02中移(5) 99.14 -0.10% 101 3.86% 2.471 3.50%
129902 98中铁(3) 99.983 -0.24% 102.56 4.49% 4.43 4.50%
120207 02武钢(7) 97.301 -0.27% 99.35 4.69% 4.493 4.02%
129903 99三峡债 98.347 0.20% 101.3 4.34% 5.211 R+1.750%
120101 01中移动 97.199 -1.30% 100.53 4.53% 6.11 R+1.750%
120288 02金茂债 96.041 0.38% 96.18 4.90% 6.97 4.22%
120205 02渝城投 95.721 0.42% 97.52 5.01% 7.586 4.32%
120302 03苏园建 95.413 0.51% 98.9 4.99% 8.189 4.30%
120304 03电网(1) 97.008 0.02% 98.65 5.04% 8.644 4.61%
120483 04中石化 97.443 0.27% 98.39 4.97% 8.795 4.61%
120482 04通用债 96.262 -0.10% 96.7 4.52% 8.89 R+1.750%
120102 01三峡债 100.688 -0.26% 103.3 5.12% 11.501 5.21%
120203 02中移(15) 93.908 -0.18% 96.3 5.17% 12.471 4.50%
120204 02苏交通 93.949 -0.12% 95.79 5.17% 12.595 4.51%
120301 03沪轨道 94.312 0.11% 95.3 5.12% 12.781 4.51%
120306 03中电投 97.896 -0.24% 100 5.24% 13.581 5.02%
120201 02三峡债 91.704 0.07% 94.73 5.51% 17.367 4.76%
120303 03三峡债 88.755 -0.14% 92.51 5.67% 28.227 4.86%
数据来源:北方之星(α)债券分析系统